American Market Hours: Options and Orders Revision

GBP/USD has weakened after the lift to 1.2745, sell orders are reported at 1.2745-55, 1.2780, 1.2800 and 1.2815-20. Bids appeared at 1.2695-00, 1.2675, 1.2650, 1.2630-35, 1.2600, 1.2580-85, 1.2565, 1.2550, 1.2515-25 and 1.2500.

Greenback in USD/CHF has declined, bids were at 0.9695, buy orders are marked at 0.9680, 0.9640-45, 0.9615-20, 0.9600, 0.9580, 0.9550 and then at 0.9500-10. Offers are noted at 0.9720, 0.9755-65, 0.9780, 0.9800-10, 0.9825-30 and 0.9850.

Euro in EUR/USD has increased, offers were reported at 1.1180, sell orders are registered at 1.1200, 1.1230, 1.1250, 1.1270, 1.1285 and 1.1300. Bids occurred at 1.1160, 1.1140, 1.1115-20, 1.1100, 1.1070-80, 1.1050, 1.1030 and 1.1000.

Dollar in USD/JPY traded in a tight diapason, offers are marked at 111.45-50, 111.65, 111.80, 112.00, 112.25-30, 112.50, 112.80 and 113.00. Bids are viewed at 110.95, 110.80, 110.50, 110.30, 110.00-10, 109.80, 109.50 and 109.25-35.